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In The Classroom

In The Classroom

Over the past several years, BFFS project members have been actively teaching courses on topics related to financial stability and behavioral finance. There are courses tailored for Harvard undergraduates, PhD students, and professional students at the Harvard Kennedy School of Government and Harvard Business School. Many of our faculty members have also been involved in writing cases.

Are you looking for something specific? Please email us and we will direct you to the right materials.

Related Course Offerings

Financial Crises: Concepts and Evidence

By: Carmen Reinhart
  • HKS ITF-270

The Financial System and the Central Bank

By: Jeremy C. Stein
  • Harvard University Econ 1759

Behavioral Finance

By: Jeremy C. Stein & Andrei Shleifer
  • Harvard University Econ 2728, PhD

Corporate Finance and Banking

By: Samuel G. Hanson & Adi Sunderam
  • HBS and Harvard University: PhD

Investment Strategies

By: Malcolm P. Baker & Samuel G. Hanson
  • Former offerings Investment Strategies and Behavioral and Value Investing

Investment Management

By: Adi Sunderam & Luis M. Viceira
  • HBS, MBA

Managing the Financial Firm

By: David S. Scharfstein
  • HBS: MBA

American Economic Policy

By: Lawrence Summers
  • HKS

Selected HBS Cases on Financial Stability

Bidding for Finansbank

By: David S. Scharfstein & Esel Çekin
  • FEB 2016 |
  • Harvard Business School Case 216-040
→View Details

Novantas and Deposit Funding at First Regional Bank

By: David S. Scharfstein
  • AUG 2015 |
  • Harvard Business School Case 216-013
→View Details

'Fair Play' at Huntington Bancshares

By: David S. Scharfstein
  • OCT 2014 (REVISED FEB 2016) |
  • Harvard Business School Case 215-024
→View Details

Leader Bank, N.A.

By: David S. Scharfstein, Adi Sunderam & Hafiz Chagani
  • JAN 2014 |
  • Harvard Business School Case 214-076
→View Details

The Case of the Unidentified Financial Firms

By: David S. Scharfstein
  • JAN 2014 (REVISED JAN 2015) |
  • Harvard Business School Case 214-072
→View Details

Citigroup's Exchange Offer

By: Robin Greenwood & James Quinn
  • JUN 2009 (REVISED JUN 2015) |
  • Harvard Business School Case 210-009
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Hayman Capital Management

By: Robin Greenwood, Julie Messina & Jared Dourdeville
  • MAR 2012 (REVISED OCT 2012) |
  • Harvard Business School Case 212-091
→View Details

Washington Mutual's Covered Bonds

By: Daniel B. Bergstresser, Robin Greenwood & James Quinn
  • MAR 2009 (REVISED JUN 2015) |
  • Harvard Business School Case 209-093
→View Details

Assured Guaranty

By: Robin Greenwood, Adi Sunderam & Jared Dourdeville
  • FEB 2013 (REVISED FEB 2015) |
  • Harvard Business School Case 213-100
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Oaktree and the Restructuring of CIT Group (A)

By: Victoria Ivashina & David S. Scharfstein
  • OCT 2013 |
  • Harvard Business School Case 214-035
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Selected HBS Cases on Behavioral Finance

Wells Fargo Convertible Bonds

By: Malcolm P. Baker & Elizabeth Kind
  • MAR 2006 |
  • Harvard Business School Case 206-022
→View Details

Behavioral Finance at JP Morgan

By: Malcolm P. Baker & Aldo Sesia
  • FEB 2007 |
  • Harvard Business School Case 207-084

Selling Biovail Short

By: Malcolm P. Baker, Chris Lombardi & Aldo Sesia
  • NOV 2006 |
  • Harvard Business School Case 207-071

Fortress Investment Group

By: Malcolm P. Baker, Carlos M. Galvez & James Quinn
  • JAN 2008 |
  • Harvard Business School Case 208-080

Matrix Capital Management (A)

By: Malcolm P. Baker & David Lane
  • JAN 2011 |
  • Harvard Business School Case 211-017

Dogs of the Dow

By: Malcolm P. Baker, Samuel G. Hanson & James Weber
  • JAN 2015 (REVISED AUG 2015) |
  • Harvard Business School Case 215-020

Grantham, Mayo, and Van Otterloo, 2012: Estimating the Equity Risk Premium

By: Samuel G. Hanson, Erik Stafford & Luis M. Viceira
  • OCT 2012 (REVISED JUN 2015) |
  • Harvard Business School Case 213-051
→View Details

H Partners and Six Flags

By: Robin Greenwood, Julie Messina & Jared Dourdeville
  • MAY 2013 (REVISED JAN 2015) |
  • Harvard Business School Case 213-122

Investor Demand

By: Robin Greenwood
  • APR 2011 (REVISED APR 2011) |
  • Harvard Business School Case 211-101

"Gold in 2011: Bubble or Safe Haven Asset?

By: Robin Greenwood & Benjamin Steiner
  • MAR 2011 (REVISED APR 2011) |
  • Harvard Business School Case 211-095
→View Details

MacroMarkets LLC

By: Robin Greenwood & Luis M. Viceira
  • JUL 2010 (REVISED MAR 2016) |
  • Harvard Business School Case 211-006

Opportunity Partners

By: Robin Greenwood & James Quinn
  • JAN 2008 |
  • Harvard Business School Case 208-097

The Nikkei 225 Reconstitution

By: Robin Greenwood
  • MAR 2007 (REVISED MAR 2008.) |
  • Harvard Business School Case 207-109

Books

Inefficient Markets: An Introduction to Behavioral Finance

By: Andrei Shleifer
  • 2000

The Squam Lake Report: Fixing the Financial System

By: Kenneth R. French, Martin N. Baily, John Y. Campbell, John H. Cochrane, Douglas W. Diamond, Darrell Duffie, Anil K. Kashyap, Frederic S. Mishkin, Raghuram G. Rajan, David S. Scharfstein, Robert J. Shiller, Hyun Song Shin, Matthew J. Slaughter & Jeremy C. S
  • 2010
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Behavioral Finance & Financial Stability
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Boston, MA 02163
Email: bffs@hbs.edu
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